Treasury Contractor required for a short-term contract in south Dublin (Sandyford).
The role requires you to be on site 5 days a week.
If you have experience with corporate treasury, direct experience of SOX and direct knowledge of cashflow forecasting, this could be the job for you.
The Role Prepare cash forecasts, intercompany funding and FX projections Help optimize liquidity and manage foreign exchange risks Produce detailed management reports on cash performance, cash management targets, and long-term planning.
Provide insights and prepare presentations for key stakeholders Support day-to-day Treasury operations Manage